Operating an efficient warehouse is critical regardless of size. This is the first blog in a series of blogs that will focus on efficiency ideas and how Microsoft Dynamics NAV can be used to help implement more efficient practices. This first blog will discuss some of the efficiency concepts at a high level.
Tag Archives: Warehouse
Warehouse Terminology
What is Bin? A bin is a storage device designed to contain discrete parts. It is the smallest container unit in Microsoft Dynamics NAV. What is Bin Content? Item quantities in bins are referred to as bin content.
Warehouse Overview
One of my reader have demanded a Warehouse related query, before jumping to the solution I thought to have a brief overview regarding this topic. As I have not covered this topic in my past posts, so I will be posting couple of posts on this series as and when I get some time and the answer will be in these couple of posts.
How to Cycle Count in Microsoft Dynamics NAV, Part 2: Counting by Warehouse Location
In a previous blog, How to Cycle Count in Microsoft Dynamics NAV, Part 1: Counting by ABC Classification, we discussed how to cycle count using Classification codes in Microsoft Dynamics NAV. This blog walks through the cycle count process when using the count by warehouse location and how to use NAV to do so.
Batch Creation of Warehouse Shipments
In one of my previous blog posts about processing shipments I mentioned a batch job I developed many years ago to automatically create warehouse shipments. I have since that post received many requests and questions about this batch job, so here it is!
Setting Up Cycle Counting with Warehouse Management in Dynamics NAV
I was recently asked about Cycle Counting and how Microsoft Dynamics NAV updated the ‘Next Counting Period’ on an Item Card. By following the process below, the inventory quantity will be updated, the financial adjustment will be posted to the General Ledger, and the “Next Counting Period’ will be updated.
Setting Up Cycle Counting with Warehouse Management in Dynamics NAV
I was recently asked about Cycle Counting and how Microsoft Dynamics NAV updated the ‘Next Counting Period’ on an Item Card. By following the process below, the inventory quantity will be updated, the financial adjustment will be posted to the General Ledger, and the “Next Counting Period’ will be updated.